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Alternative Investments
Instruments, Performance, Benchmarks, and Strategies
H. Kent Baker (Author), Greg Filbeck (Author)
9781118241127, Wiley
Hardback, published 26 April 2013
656 pages
26.2 x 18.5 x 4.8 cm, 1.306 kg
A comprehensive guide to alternative investments that reveals today's latest research and strategies Historically low interest rates and bear markets in world stock markets have generated intense interest in alternative investments. With returns in traditional investment vehicles relatively low, many professional investors view alternative investments as a means of meeting their return objectives. Alternative Investments: Instruments, Performance, Benchmarks, and Strategies, can put you in a better position to achieve this difficult goal. Part of the Robert W. Kolb Series in Finance, Alternative Investments provides an in-depth discussion of the historic performance, benchmarks, and strategies of every major alternative investment market. With contributions from professionals and academics around the world, it offers valuable insights on the latest trends, research, and thinking in each major area. Empirical evidence about each type of alternative investment is featured, with research presented in a straightforward manner. Alternative investments provide a means of diversification, risk control, and return enhancement and, as such, are attractive to many professional investors. If you're looking for an effective way to hone your skills in this dynamic area of finance, look no further than this book.
Acknowledgments ix Part I Introduction 1 1 Alternative Investments: An Overview 3 2 The Role of Alternative Investments in Strategic Asset Allocation 19 3 Trends in Alternative Investments 37 4 Alternative Investments and Due Diligence 53 Part II Real Estate 77 5 REITs and the Private Real Estate Market 79 6 Commercial Real Estate 99 7 Real Estate Investment Trusts 119 8 Mortgaged-Backed Securities 143 9 Mezzanine Debt and Preferred Equity in Real Estate 163 10 Real Estate Appraisal and Valuation 185 11 Performance of Real Estate Portfolios 213 Part III Private Equity 239 12 Venture Capital 241 13 Mezzanine Capital 263 14 Buyout Funds 281 15 Distressed Debt Investing 303 16 Performance of Private Equity 323 17 Private Equity: Risk and Return Profile 345 Part IV Commodities and Managed Futures 363 18 Investing in Commodities 365 19 Performance of Commodities 381 20 Commodity Futures and Strategic Asset Allocation 399 21 Managed Futures: Markets, Investment Characteristics, and Role in a Portfolio 419 22 An Overview of Managed Futures’ Performance: 1983 to Post-2008 Credit Crisis 437 Part V Hedge Funds 453 23 Investing in Hedge Funds 455 24 Performance of Hedge Funds 475 25 Hedge Funds and Risk Management 495 26 Hedge Funds and the Financial Crisis 521 27 Hedge Funds: Replication and Nonlinearities 541 28 Fund-of-Funds: A Tale of Two Fees 567 Answers to Discussion Questions 587 Index 619
H. Kent Baker and Greg Filbeck
Douglas Cumming, Lars Helge Haß, and Denis Schweizer
Erik Benrud
Göğkhan Afyonoğlu
Shaun A. Bond and Qingqing Chang
Peter Chinloy
Brad Case
Eric J. Higgins
Andrew R. Berman
Jeffrey D. Fisher and Demetrios Louziotis, Jr.
David Geltner
Tom Vanacker and Sophie Manigart
Sameer Jain and Phillip Myburgh
Christian Rauch and Mark Wahrenburg
Michelle M. Harner, Paul E. Harner, Catherine M. Martin, and Aaron M. Singer
Christoph Kaserer and Rϋdiger Stucke
Axel Buchner, Arif Khurshed, and Abdulkadir Mohamed
Claudio Boido
Andrew Clark
Yongyang Su, Marco C. K. Lau, and Frankie Chau
Davide Accomazzo
Kai-Hong Tee
Hunter M. Holzhauer
Dianna Preece
Theodore Syriopoulos
Jing-Zhi Huang and Ying Wang
Mikhail Tupitsyn and Paul Lajbcygier
Kartik Patel
Subject Areas: Finance & accounting [KF]
